HRT of TN LLC
Healthcare Realty Trust (NYSE: HR) is the nation’s largest owner of medical outpatient real estate, with a portfolio spanning hundreds of healthcare properties across the country. We develop, renovate, and maintain facilities that enable physicians, healthcare providers, and patients to receive care in high-quality environments.
We are recruiting for an Assistant Treasurer to help manage Healthcare Realty’s cash, liquidity, banking relationships, capital structure and financial risk. This role serves as a key partner in day-to-day treasury operations and works closely with Finance, Accounting, and external banking partners to ensure the organization’s financial stability and compliance with policy.
This is a full-time, in-office position at our Nashville headquarters. We offer competitive compensation with an annual bonus opportunity. To see a complete list of employee benefits, visit www.healthcarerealty.com/careers/.
Equal Opportunity and Affirmative Action Employer including Minorities/Women/Veterans/Disabilities
Key Responsibilities
Manage daily cash positioning, forecasting, and liquidity across all operating accounts
Support debt management, credit facilities, and covenant compliance reporting
Maintain and strengthen relationships with banks, rating agencies, and financial institutions
Oversee treasury operations including wire approvals, account administration, and bank reconciliations
Assist in managing interest rate and other financial risk exposures
Prepare treasury reports, board materials, and cash flow analyses for senior leadership
Support investment of excess cash in accordance with the investment policy
Ensure compliance with internal controls, treasury policies, and regulatory requirements
Assist with capital markets activity, including financing transactions and commercial paper issuance
Serve as backup to the Treasurer on key treasury functions and decisions
Qualifications
Bachelor’s degree in Finance, Accounting, or related field required; MBA or CTP a plus
5+ years of progressive treasury, corporate finance, accounting, or banking experience
Strong understanding of cash management, debt instruments, and financial markets
Advanced Excel skills and proficiency with treasury management systems (TMS) preferred
Excellent analytical, organizational, and communication skills
High level of integrity and discretion in handling confidential financial information
Ability to work effectively under deadlines in a fast-paced environment
To apply for this job please visit www.glassdoor.co.uk.